Česká národní banka


Seminar schedule in 2019

CODE TIME NAME DEADLINE
901 11–13 March Cash Circulation Management in the Czech Republic 31 December 2018
902 25–27 March Statistics at the CNB 31 December 2018
903 19–21 June Coordinating policies in an integrated monetary and supervisory authority 31 March 2019
904 23–25 September Payment and Securities Settlement Systems
and Payment Systems Regulation
30 June 2019
905 25–27 November Human Resources Management at the CNB 30 June 2019
906 2–6 December Macroeconomic Modelling and Forecasting Workshop 30 June 2019

 

Seminar schedule in 2018

CODE TIME NAME DEADLINE
801 4–6 April Cash Circulation Management in the Czech Republic end of January 2018
802 16–18 April Statistics at the CNB end of January 2018
803 17–19 September Payment and Securities Settlement Systems
and Payment Systems Regulation
end of June 2018
804 8–9 October Role and Practice of Internal Audit in a Central Bank end of June 2018
805 24–26 October Selected Issues of Central Bank Governance end of June 2018
806 26–30 November Near-term forecasting workshop – out of catalogue by invitation only